Bookkeeping & Reconciliation
Monthly transaction coding, bank and credit-card reconciliation, AP/AR maintenance, cleanup, and month-end close.
Cloud Accounting • Tax • CFO Advisory
S&N Accountax helps growing businesses stay financially organized with dependable bookkeeping, tax and compliance support, cloud accounting systems, and practical CFO-level guidance.
Our Services
From day-to-day bookkeeping to compliance and management reporting, we provide the financial infrastructure needed to keep your business organized and decision-ready.
Monthly transaction coding, bank and credit-card reconciliation, AP/AR maintenance, cleanup, and month-end close.
Tax-ready books, annual filing support, sales tax and VAT/GST/BAS coordination, plus Pakistan FBR and SECP compliance.
System setup, chart of accounts, migration, integrations, workflows, and controls across major cloud accounting platforms.
Management accounts, cash-flow analysis, budgets, forecasts, KPI reporting, and financial insight for better decisions.
Stripe, PayPal, Shopify, Amazon and marketplace reconciliation, including processor fees, clearing accounts, refunds and payouts.
Historical reconciliation, duplicate correction, uncategorized transaction review, balance-sheet cleanup, and tax-preparation readiness.
About S&N Accountax
S&N Accountax provides accounting, bookkeeping, compliance and advisory services to businesses that want accurate financial records without building a large in-house finance team.
Our approach combines detailed bookkeeping with practical business understanding. We focus on reconciled balances, clean supporting schedules, timely reporting, and clear communication so owners and managers can trust the numbers they use.
We support clients across multiple jurisdictions and work comfortably with remote teams, cloud accounting platforms, payment processors, e-commerce systems and industry-specific workflows.
Software Expertise
Industries
Marketplace, processor and inventory-aware bookkeeping.
Property-level reporting, escrow, loans and operating expenses.
Job costing, project expenses, progress billing and controls.
Clean client billing, contractor costs, margins and cash flow.
Subscription revenue, payment processors and management reporting.
Flexible bookkeeping and finance support as operations expand.
How We Work
We review your current books, systems, reporting needs and compliance requirements.
We clean up processes, reconcile balances and establish a repeatable monthly workflow.
You receive clear, reconciled reports with outstanding issues highlighted promptly.
When needed, we translate the numbers into practical actions for management.
Contact Us
Tell us what you need help with. We can discuss your current accounting system, cleanup requirements, monthly bookkeeping, tax compliance, or reporting needs.